Advice on Potential Portfolio Mix


I am looking to rebalance my current portfolio allocation. I am new to stocks, mid-20s and have a long-term horizon. My current portfolio was messy and had lots of repeat tech stocks, so I thought about rebalancing and opening a few positions on:

-VTI (Safe ETF)
-VOO (Safe ETF)
-Johnson & Johson (Defensive Stock)
-Costco (Defensive Stock)
-1 Bond ETF (Unsure which one)
-1 to 2 Europe/Asia ETFs (Unsure which one)

Energy potentially? Marathon Oil and Magnolia seem attractive but I could use some advice.

Can you help me? Is my ETF mix redundant? Are the consumer staple stocks not “defensive” as I understand them? Any other mix based on these guidelines you could help me with?

New and open to learn, thanks!


Comments

Leave a Reply

Your email address will not be published. Required fields are marked *